CIK 1364725
Long positions in SEC Section 13(f) securities (US-listed stocks, ADRs and ETFs), largest first · Δ vs 2025-Q4. A lagged quarterly snapshot (filed ≤45 days after quarter-end); excludes shorts, options, cash, and shares listed only on non-US exchanges — foreign companies held via a US listing or ADR (e.g. Alibaba, TSMC) ARE included.
As filed = each book applied at its quarter-end (what the reported book did) · As copyable = applied at its statutory 45-day filing deadline (what a 13F follower could have earned).
Computing…
Hypothetical modeled performance constructed with hindsight — not actual results, and not indicative of future results. See the Disclaimer.
| Industry group | Weight | Names |
|---|---|---|
| Unclassified | 23.05% | 40 |
| Semiconductors & Semiconductor Equipment | 8.81% | 8 |
| Software & IT Services | 7.45% | 7 |
| Specialty Retail | 6.99% | 7 |
| Technology Hardware & Equipment | 6.20% | 7 |
| Software | 5.53% | 8 |
| Machinery | 5.33% | 9 |
| Construction & Engineering | 5.19% | 5 |
| Pharmaceuticals & Biotechnology | 3.60% | 10 |
| Insurance | 3.39% | 6 |
| Commercial Services & Supplies | 3.17% | 6 |
| Beverages | 2.88% | 2 |
| Health Care Equipment & Supplies | 2.70% | 3 |
| Media & Entertainment | 2.69% | 1 |
| Textiles, Apparel & Luxury Goods | 2.52% | 1 |
| Capital Markets | 1.44% | 4 |
| Hotels, Restaurants & Leisure | 1.28% | 2 |
| Oil, Gas & Consumable Fuels | 0.77% | 2 |
| Communications Equipment | 0.77% | 3 |
| Utilities | 0.71% | 3 |
| Banks | 0.69% | 3 |
| Metals & Mining | 0.67% | 3 |
| Food Products | 0.58% | 1 |
| Media & Publishing | 0.57% | 1 |
| Electrical Equipment & Components | 0.47% | 4 |
| Paper & Forest Products | 0.35% | 1 |
| Equity Real Estate Investment Trusts (REITs) | 0.34% | 1 |
| Life Sciences Tools & Services | 0.28% | 1 |
| Road & Rail | 0.27% | 2 |
| Automobiles & Components | 0.25% | 2 |
| Chemicals | 0.24% | 2 |
| Real Estate Management & Development | 0.20% | 1 |
| Health Care Providers & Services | 0.17% | 2 |
| Distributors | 0.15% | 2 |
| Marine | 0.08% | 1 |
| Entertainment | 0.07% | 1 |
| Diversified Consumer Services | 0.06% | 1 |
| Aerospace & Defense | 0.04% | 1 |
| Construction Materials | 0.03% | 1 |
| Diversified Telecommunication Services | 0.03% | 1 |
| # | Ticker | Name | Sector | Weight |
|---|---|---|---|---|
| 1 | NVDA | NVIDIA CORP | Information Technology | 5.85% |
| 2 | GOOGL | Alphabet Inc. | Communication Services | 4.08% |
| 3 | ISTB | ISHARES TR | Unclassified | 3.87% |
| 4 | EME | EMCOR Group, Inc. | Industrials | 3.20% |
| 5 | BRK.B | BERKSHIRE HATHAWAY INC | Financials | 3.10% |
| 6 | ANET | Arista Networks, Inc. | Information Technology | 3.06% |
| 7 | ASML | ASML Holding NV | Industrials | 2.95% |
| 8 | COST | COSTCO WHOLESALE CORP /NEW | Consumer Discretionary | 2.93% |
| 9 | MNST | Monster Beverage Corp | Consumer Staples | 2.79% |
| 10 | TIP | ISHARES TR | Unclassified | 2.72% |
127/166 names classified · sector 80.0% of weight · industry 76.9% · mkt cap 72.2%; unclassified names shown, never dropped.
Sector is classified on each name's CURRENT fundamentals, not point-in-time — apparent sector drift can reflect the market re-rating a holding, not a manager trade. 13F is a lagged quarterly snapshot of long positions in US-listed securities only — foreign companies held via a US listing or ADR ARE included, but shares listed only on non-US exchanges (plus shorts, options and cash) are not. Latest quarter: 80.0% of the book is sector-classified (unclassified names shown, never dropped).
Classified: 62.7% of book weight (108/166 names) · unclassified 37.3%: ISTB, BRK.B, ASML, MNST, TIP, SPOT, NVO, BKLN, MBB, PDBC +48 more. Size: cap 70/20/10 bands; style: value/growth composite on our own metrics — not Morningstar's model.
No contribution data for this period.
| # | Security | Shares | Value | Weight | Δ QoQ |
|---|---|---|---|---|---|
| 1 | NVDANVIDIA CORPORATION | 231,977 | $40M | 5.8% | TRIM −14% |
| 2 | GOOGLALPHABET INC | 98,060 | $28M | 4.1% | TRIM −24% |
| 3 | ISTBISHARES TR | 551,770 | $27M | 3.9% | HOLD |
| 4 | EMEEMCOR GROUP INC | 30,021 | $22M | 3.2% | TRIM −9% |
| 5 | BRK.BBERKSHIRE HATHAWAY INC DEL | 44,776 | $21M | 3.1% | TRIM −6% |
| 6 | ANETARISTA NETWORKS INC | 172,263 | $21M | 3.1% | TRIM −12% |
| 7 | ASMLASML HOLDING N V | 15,434 | $20M | 2.9% | ADD 504% |
| 8 | COSTCOSTCO WHSL CORP NEW | 20,363 | $20M | 2.9% | TRIM −6% |
| 9 | MNSTMONSTER BEVERAGE CORP NEW | 266,090 | $19M | 2.8% | TRIM −12% |
| 10 | TIPISHARES TR | 170,451 | $19M | 2.7% | HOLD |
| 11 | AMZNAMAZON COM INC | 89,777 | $19M | 2.7% | TRIM −7% |
| 12 | SPOTSPOTIFY TECHNOLOGY S A | 38,425 | $19M | 2.7% | ADD 83% |
| 13 | MAMASTERCARD INCORPORATED | 36,384 | $18M | 2.6% | TRIM −3% |
| 14 | METAMETA PLATFORMS INC | 31,610 | $18M | 2.6% | TRIM −4% |
| 15 | AAPLAPPLE INC | 69,169 | $18M | 2.5% | TRIM −5% |
| 16 | ISRGINTUITIVE SURGICAL INC | 38,030 | $18M | 2.5% | TRIM −4% |
| 17 | CTASCINTAS CORP | 103,144 | $17M | 2.5% | ADD 29% |
| 18 | PGRPROGRESSIVE CORP | 86,334 | $17M | 2.5% | TRIM −3% |
| 19 | SNPSSYNOPSYS INC | 37,285 | $15M | 2.1% | TRIM −3% |
| 20 | NVONOVO-NORDISK A S | 374,817 | $14M | 2.0% | ADD 73% |
| 21 | INTUINTUIT | 29,207 | $13M | 1.8% | HOLD |
| 22 | BKLNINVESCO EXCH TRADED FD TR II | 552,752 | $11M | 1.6% | ADD 3% |
| 23 | CMICUMMINS INC | 20,317 | $11M | 1.6% | ADD 303% |
| 24 | MBBISHARES TR | 100,687 | $10M | 1.4% | HOLD |
| 25 | CMGCHIPOTLE MEXICAN GRILL INC | 266,691 | $9M | 1.2% | TRIM −38% |
| 26 | PDBCINVESCO ACTVELY MNGD ETC FD | 416,032 | $7M | 1.0% | HOLD |
| 27 | FIXCOMFORT SYS USA INC | 5,116 | $7M | 1.0% | TRIM −36% |
| 28 | PFFISHARES TR | 209,989 | $6M | 0.9% | HOLD |
| 29 | RAVIFLEXSHARES TR | 78,818 | $6M | 0.9% | HOLD |
| 30 | CLSCELESTICA INC | 19,901 | $6M | 0.8% | TRIM −20% |
| 31 | TMVDIREXION SHS ETF TR | 148,479 | $6M | 0.8% | HOLD |
| 32 | STRLSTERLING INFRASTRUCTURE INC | 12,152 | $5M | 0.7% | ADD 813% |
| 33 | MUMICRON TECHNOLOGY INC | 14,429 | $5M | 0.7% | TRIM −10% |
| 34 | XOMEXXON MOBIL CORP | 27,906 | $5M | 0.7% | HOLD |
| 35 | MINTPIMCO ETF TR | 46,417 | $5M | 0.7% | HOLD |
| 36 | USFRWISDOMTREE TR | 92,133 | $5M | 0.7% | HOLD |
| 37 | BILSPDR SERIES TRUST | 49,557 | $5M | 0.7% | HOLD |
| 38 | HSYHERSHEY CO | 19,292 | $4M | 0.6% | ADD 52% |
| 39 | CWBSPDR SER TR | 43,472 | $4M | 0.6% | HOLD |
| 40 | TPLTEXAS PACIFIC LAND CORPORATI | 8,344 | $4M | 0.6% | HOLD |
| 41 | NYTNEW YORK TIMES CO | 46,753 | $4M | 0.6% | NEW |
| 42 | KRYSKRYSTAL BIOTECH INC | 14,990 | $4M | 0.6% | NEW |
| 43 | IVVISHARES TR | 5,802 | $4M | 0.5% | TRIM −11% |
| 44 | MSFTMICROSOFT CORP | 9,653 | $4M | 0.5% | TRIM −28% |
| 45 | HYGISHARES TR | 43,032 | $3M | 0.5% | HOLD |
| 46 | NEENEXTERA ENERGY INC | 32,478 | $3M | 0.4% | HOLD |
| 47 | APHAMPHENOL CORP | 22,852 | $3M | 0.4% | HOLD |
| 48 | GLDSPDR GOLD TR | 6,696 | $3M | 0.4% | HOLD |
| 49 | TSMTAIWAN SEMICONDUCTOR MFG LTD | 8,515 | $3M | 0.4% | TRIM −20% |
| 50 | YOUCLEAR SECURE INC | 59,414 | $3M | 0.4% | TRIM −5% |
| 51 | FIVEFIVE BELOW INC | 12,287 | $3M | 0.4% | NEW |
| 52 | IBKRINTERACTIVE BROKERS GROUP IN | 41,476 | $3M | 0.4% | TRIM −7% |
| 53 | GFIGOLD FIELDS LTD | 60,324 | $3M | 0.4% | HOLD |
| 54 | TTTPROSHARES TR | 39,505 | $3M | 0.4% | ADD 11% |
| 55 | UIUBIQUITI INC | 3,282 | $3M | 0.4% | NEW |
| 56 | PLTRPALANTIR TECHNOLOGIES INC | 17,012 | $2M | 0.4% | ADD 4% |
| 57 | JPMJPMORGAN CHASE & CO | 8,342 | $2M | 0.4% | HOLD |
| 58 | FASTFASTENAL CO | 52,601 | $2M | 0.4% | HOLD |
| 59 | PKGPACKAGING CORP AMER | 11,317 | $2M | 0.3% | HOLD |
| 60 | SPXCSPX TECHNOLOGIES INC | 11,917 | $2M | 0.3% | ADD 18% |
| 61 | TRVTRAVELERS COMPANIES INC | 8,147 | $2M | 0.3% | HOLD |
| 62 | CAMTCAMTEK LTD | 15,536 | $2M | 0.3% | ADD 169% |
| 63 | SPGSIMON PPTY GROUP INC NEW | 12,594 | $2M | 0.3% | HOLD |
| 64 | SHWSHERWIN WILLIAMS CO | 7,075 | $2M | 0.3% | HOLD |
| 65 | FNFABRINET | 4,269 | $2M | 0.3% | TRIM −30% |
| 66 | MPWRMONOLITHIC PWR SYS INC | 1,871 | $2M | 0.3% | TRIM −4% |
| 67 | ARGXARGENX SE | 2,769 | $2M | 0.3% | ADD 5% |
| 68 | CBOECBOE GLOBAL MKTS INC | 7,179 | $2M | 0.3% | HOLD |
| 69 | NXTNEXTPOWER INC | 16,313 | $2M | 0.3% | HOLD |
| 70 | ACGLARCH CAP GROUP LTD | 20,418 | $2M | 0.3% | ADD 6% |
| 71 | UBSUBS GROUP AG | 50,095 | $2M | 0.3% | HOLD |
| 72 | GNRCGENERAC HLDGS INC | 9,928 | $2M | 0.3% | TRIM −3% |
| 73 | MEDPMEDPACE HLDGS INC | 4,023 | $2M | 0.3% | TRIM −6% |
| 74 | ACWXISHARES TR | 26,597 | $2M | 0.3% | HOLD |
| 75 | ABTABBOTT LABS | 17,084 | $2M | 0.3% | HOLD |
| 76 | AMEAMETEK INC | 7,734 | $2M | 0.2% | HOLD |
| 77 | GOOGALPHABET INC | 5,736 | $2M | 0.2% | TRIM −20% |
| 78 | CLEARWATER ANALYTICS HLDGS I | 68,592 | $2M | 0.2% | HOLD |
| 79 | IUSGISHARES TR | 10,160 | $2M | 0.2% | HOLD |
| 80 | ODFLOLD DOMINION FREIGHT LINE IN | 8,057 | $2M | 0.2% | HOLD |
| 81 | EXELEXELIXIS INC | 35,969 | $2M | 0.2% | HOLD |
| 82 | CMSCMS ENERGY CORP | 19,429 | $2M | 0.2% | HOLD |
| 83 | HDHOME DEPOT INC | 4,503 | $1M | 0.2% | TRIM −32% |
| 84 | ROLROLLINS INC | 27,333 | $1M | 0.2% | HOLD |
| 85 | MODMODINE MFG CO | 6,701 | $1M | 0.2% | NEW |
| 86 | BMIBADGER METER INC | 9,488 | $1M | 0.2% | HOLD |
| 87 | CBRECBRE GROUP INC | 10,275 | $1M | 0.2% | TRIM −8% |
| 88 | ACNACCENTURE PLC IRELAND | 6,994 | $1M | 0.2% | ADD 2% |
| 89 | HMYHARMONY GOLD MINING CO LTD | 88,568 | $1M | 0.2% | HOLD |
| 90 | AGXARGAN INC | 2,312 | $1M | 0.2% | TRIM −18% |
| 91 | DECKDECKERS OUTDOOR CORP | 12,207 | $1M | 0.2% | HOLD |
| 92 | AXONAXON ENTERPRISE INC | 2,784 | $1M | 0.2% | HOLD |
| 93 | HLIHOULIHAN LOKEY INC | 8,152 | $1M | 0.2% | HOLD |
| 94 | RDDTREDDIT INC | 8,446 | $1M | 0.2% | HOLD |
| 95 | IOTSAMSARA INC | 34,505 | $1M | 0.2% | HOLD |
| 96 | TOSTTOAST INC | 41,148 | $1M | 0.2% | HOLD |
| 97 | VEEVVEEVA SYS INC | 5,778 | $1M | 0.1% | HOLD |
| 98 | BROBROWN & BROWN INC | 15,163 | $988,779 | 0.1% | TRIM −56% |
| 99 | SPYSTATE STR SPDR S&P 500 ETF T | 1,518 | $987,338 | 0.1% | TRIM −6% |
| 100 | FBTCFIDELITY WISE ORIGIN BITCOIN | 15,142 | $893,832 | 0.1% | ADD 35% |
| 101 | CHECHEMED CORP NEW | 2,325 | $878,246 | 0.1% | HOLD |
| 102 | CGGRCAPITAL GROUP GROWTH ETF | 20,875 | $838,972 | 0.1% | ADD 7% |
| 103 | IRMDIRADIMED CORP | 7,723 | $743,463 | 0.1% | TRIM −7% |
| 104 | POOLPOOL CORP | 3,613 | $731,018 | 0.1% | ADD 2% |
| 105 | DIASPDR DOW JONES INDL AVERAGE | 1,492 | $691,079 | 0.1% | HOLD |
| 106 | HGHAMILTON INSURANCE GROUP LTD | 21,262 | $634,245 | 0.1% | ADD 79% |
| 107 | COCOVITA COCO CO INC | 13,004 | $623,022 | 0.1% | HOLD |
| 108 | CRCCALIFORNIA RES CORP | 8,828 | $611,087 | 0.1% | HOLD |
| 109 | ACMRACM RESH INC | 14,749 | $580,373 | 0.1% | TRIM −9% |
| 110 | CGDVCAPITAL GROUP DIVIDEND VALUE | 13,208 | $561,886 | 0.1% | TRIM −2% |
| 111 | CPRXCATALYST PHARMACEUTICALS INC | 22,556 | $558,487 | 0.1% | HOLD |
| 112 | CGUSCAPITAL GROUP CORE EQUITY ET | 14,158 | $543,963 | 0.1% | HOLD |
| 113 | INSWINTERNATIONAL SEAWAYS INC | 7,427 | $541,257 | 0.1% | NEW |
| 114 | DRDDRDGOLD LIMITED | 17,776 | $522,088 | 0.1% | HOLD |
| 115 | AEHRAEHR TEST SYS | 13,671 | $506,921 | 0.1% | NEW |
| 116 | RSIRUSH STREET INTERACTIVE INC | 22,788 | $495,639 | 0.1% | NEW |
| 117 | NSSCNAPCO SEC TECHNOLOGIES INC | 12,526 | $493,393 | 0.1% | HOLD |
| 118 | DUOLDUOLINGO INC | 4,838 | $476,882 | 0.1% | ADD 10% |
| 119 | MGRCMCGRATH RENTCORP | 4,320 | $476,421 | 0.1% | HOLD |
| 120 | POWLPOWELL INDS INC | 874 | $472,904 | 0.1% | TRIM −7% |
| 121 | IUSVISHARES TR | 4,588 | $469,111 | 0.1% | HOLD |
| 122 | WHDCACTUS INC | 9,792 | $463,864 | 0.1% | ADD 105% |
| 123 | STOKSTOKE THERAPEUTICS INC | 14,228 | $463,264 | 0.1% | NEW |
| 124 | GEGE AEROSPACE | 1,621 | $459,991 | 0.1% | HOLD |
| 125 | MHOM/I HOMES INC | 3,738 | $457,718 | 0.1% | ADD 116% |
| 126 | AAONAAON INC | 5,429 | $449,290 | 0.1% | HOLD |
| 127 | LRNSTRIDE INC | 4,706 | $414,928 | 0.1% | ADD 4% |
| 128 | CSWCSW INDUSTRIALS INC | 1,591 | $414,613 | 0.1% | HOLD |
| 129 | SKWDSKYWARD SPECIALTY INS GROUP | 9,209 | $402,249 | 0.1% | HOLD |
| 130 | AWRAMER STATES WTR CO | 5,247 | $396,806 | 0.1% | HOLD |
| 131 | IJSISHARES TR | 3,341 | $395,734 | 0.1% | ADD 36% |
| 132 | DAVEDAVE INC | 2,253 | $392,225 | 0.1% | HOLD |
| 133 | PGFINVESCO EXCHANGE TRADED FD T | 28,491 | $392,036 | 0.1% | ADD 4% |
| 134 | ORCLORACLE CORP | 2,660 | $391,313 | 0.1% | ADD 10% |
| 135 | TSCOTRACTOR SUPPLY CO | 8,541 | $386,907 | 0.1% | TRIM −96% |
| 136 | VOOVANGUARD INDEX FDS | 645 | $385,420 | 0.1% | HOLD |
| 137 | UFPTUFP TECHNOLOGIES INC | 1,985 | $384,296 | 0.1% | HOLD |
| 138 | VSSVANGUARD INTL EQUITY INDEX F | 2,542 | $370,598 | 0.1% | HOLD |
| 139 | HRMYHARMONY BIOSCIENCES HLDGS IN | 13,080 | $366,371 | 0.1% | HOLD |
| 140 | EEMISHARES TR | 6,326 | $359,254 | 0.1% | HOLD |
| 141 | GEVGE VERNOVA INC | 404 | $352,652 | 0.1% | HOLD |
| 142 | IJRISHARES TR | 2,662 | $330,913 | 0.0% | HOLD |
| 143 | SBUXSTARBUCKS CORP | 3,661 | $327,959 | 0.0% | HOLD |
| 144 | TTTRANE TECHNOLOGIES PLC | 785 | $327,141 | 0.0% | HOLD |
| 145 | AGYSAGILYSYS INC | 4,318 | $307,183 | 0.0% | HOLD |
| 146 | IVWISHARES TR | 2,663 | $301,212 | 0.0% | HOLD |
| 147 | GWWWW GRAINGER INC | 270 | $294,519 | 0.0% | HOLD |
| 148 | WGSGENEDX HOLDINGS CORP | 4,557 | $292,651 | 0.0% | HOLD |
| 149 | VRTXVERTEX PHARMACEUTICALS INC | 629 | $280,874 | 0.0% | HOLD |
| 150 | CORTCORCEPT THERAPEUTICS INC | 6,600 | $266,046 | 0.0% | HOLD |
| 151 | TSLATESLA INC | 704 | $261,712 | 0.0% | HOLD |
| 152 | IVEISHARES TR | 1,232 | $260,137 | 0.0% | HOLD |
| 153 | SAIASAIA INC | 740 | $259,947 | 0.0% | HOLD |
| 154 | CATCATERPILLAR INC | 347 | $246,113 | 0.0% | NEW |
| 155 | IBMINTERNATIONAL BUSINESS MACHS | 1,012 | $245,400 | 0.0% | HOLD |
| 156 | LRCXLAM RESEARCH CORP | 1,143 | $244,213 | 0.0% | NEW |
| 157 | AVAVAEROVIRONMENT INC | 1,323 | $242,175 | 0.0% | HOLD |
| 158 | TGLSTECNOGLASS INC | 5,354 | $238,535 | 0.0% | HOLD |
| 159 | CGCPCAPITAL GRP FIXED INCM ETF T | 10,413 | $232,626 | 0.0% | TRIM −8% |
| 160 | XLFSELECT SECTOR SPDR TR | 4,609 | $227,546 | 0.0% | TRIM −2% |
| 161 | CGXUCapital Group International Focus - ETF | 7,498 | $221,112 | 0.0% | ADD 3% |
| 162 | TAT&T INC | 7,606 | $220,498 | 0.0% | NEW |
| 163 | PYPLPAYPAL HLDGS INC | 4,621 | $209,008 | 0.0% | NEW |
| 164 | AMATAPPLIED MATLS INC | 602 | $205,758 | 0.0% | NEW |
| 165 | VVISA INC | 662 | $200,128 | 0.0% | TRIM −54% |
| 166 | NNYNUVEEN N Y MUN VALUE FD | 14,049 | $117,309 | 0.0% | HOLD |
| Security | 2024-Q4 | 2025-Q1 | 2025-Q2 | 2025-Q3 | 2025-Q4 | 2026-Q1 | Latest value |
|---|---|---|---|---|---|---|---|
| NVDANVIDIA CORPORATION | 258K | 269K | 241K | 251K | 270K | 232K | $40M |
| GOOGLALPHABET INC | 148K | 131K | 132K | 137K | 128K | 98K | $28M |
| ISTBISHARES TR | 537K | 550K | 563K | 533K | 551K | 552K | $27M |
| EMEEMCOR GROUP INC | 3K | 24K | 24K | 24K | 33K | 30K | $22M |
| BRK.BBERKSHIRE HATHAWAY INC DEL | 47K | 46K | 49K | 49K | 48K | 45K | $21M |
| ANETARISTA NETWORKS INC | 118K | 192K | 198K | 196K | 195K | 172K | $21M |
| ASMLASML HOLDING N V | 2K | 3K | 3K | 3K | 3K | 15K | $20M |
| COSTCOSTCO WHSL CORP NEW | 22K | 25K | 24K | 22K | 22K | 20K | $20M |
| MNSTMONSTER BEVERAGE CORP NEW | 306K | 312K | 310K | 310K | 302K | 266K | $19M |
| TIPISHARES TR | 150K | 158K | 161K | 163K | 169K | 170K | $19M |
| AMZNAMAZON COM INC | 104K | 98K | 98K | 98K | 96K | 90K | $19M |
| SPOTSPOTIFY TECHNOLOGY S A | 4K | 22K | 38K | 38K | 21K | 38K | $19M |
| MAMASTERCARD INCORPORATED | 40K | 39K | 38K | 38K | 38K | 36K | $18M |
| METAMETA PLATFORMS INC | 47K | 40K | 36K | 38K | 33K | 32K | $18M |
| AAPLAPPLE INC | 83K | 77K | 77K | 77K | 73K | 69K | $18M |
Shares reported each quarter by the largest current holdings. Green = added vs the prior filing of that name, red = trimmed, grey = roughly held; a dash is a quarter with no 13F on file (a gap is skipped, not read as an exit). 13F is filed up to 45 days after quarter-end. Up to 40 quarters (10 years) available — use the selector above.